This book provides the solution: a technical, professional-grade system for constructing recession-ready fixed-income portfolios that protect capital while maintaining income. You'll learn how to blend Treasuries, corporates, and defensive ETFs to cushion volatility, when to shorten duration, and how to use credit spreads as a signal for risk-on or risk-off positioning.
With data-driven insights, real-world case studies, and step-by-step allocation models, this guide equips professionals and serious investors with a repeatable framework for recession resilience. You'll discover how to design fixed-income strategies that defend in downturns yet remain flexible enough to seize opportunities in recovery.
Stop reacting to volatility. Start mastering the fixed-income strategies that keep portfolios stable, liquid, and profitable-even in recessionary markets.
Dieser Download kann aus rechtlichen Gründen nur mit Rechnungsadresse in A, B, CY, D, DK, EW, E, FIN, F, GR, IRL, I, L, M, NL, P, S, SLO, SK ausgeliefert werden.








